Nevşehir Hacı Bektaş Veli University Course Catalogue

Information Of Programmes

INSTITUTE OF SOCIAL SCIENCES / İKT-535 - ECONOMICS (MA-WITH THESIS)

Code: İKT-535 Course Title: BANKING AND INSURANCE APPLICATIONS I Theoretical+Practice: 3+0 ECTS: 6
Year/Semester of Study 1 / Fall Semester
Level of Course 2nd Cycle Degree Programme
Type of Course Optional
Department ECONOMICS (MA-WITH THESIS)
Pre-requisities and Co-requisites None
Mode of Delivery Face to Face
Teaching Period 14 Weeks
Name of Lecturer SERDAR ÖZTÜRK (serdarozturk@nevsehir.edu.tr)
Name of Lecturer(s)
Language of Instruction Turkish
Work Placement(s) None
Objectives of the Course
The aim of the Department is to train specialists with practical knowledge especially in the fields of banking and insurance. For this reason, the programs were focused on the application classes. Department of Banking and Insurance and the Capital Market Authority determined the course and the application programs (CMB), banks, insurance companies, seeks to prepare them for exams started.

Learning Outcomes PO MME
The students who succeeded in this course:
LO-1 can explain banking and insurance applications. PO-4 have theoretical and empirical information to analyze how to authorities, consumers and firms effect each other’s and how to make decision.
PO-7 have ability on considering the basic items of Money, Banking and Financial System and the treatment process of these items.
Examination
LO-2 can explain types of insurance applications. PO-16 can report preparation that examine the economy in terms of sectoral and macroeconomic.
Examination
Presentation
LO-3 can explain risk and risk analysis in banking and insurance. PO-7 have ability on considering the basic items of Money, Banking and Financial System and the treatment process of these items.
PO-11 have ability on defining economic variables and comment on the relationships between these variables.
Examination
PO: Programme Outcomes
MME:Method of measurement & Evaluation

Course Contents
Course content, Banking, Risk Management, Finance and Principles of Financial Analysis, Risk Analysis and Modeling, Global Perspective in Risk Management, Business Continuity and Crisis Management is located.
Weekly Course Content
Week Subject Learning Activities and Teaching Methods
1 Fund Management in Banking Lecturing
2 Investment Analysis and Portfolio Management Lecturing
3 Principles of Finance and Financial Analysis Lecturing
4 Insurance Law and Regulations Lecturing
5 Insurance Accounting and Financial Management Lecturing
6 Insurance and Financial Services Sector, Corporate Strategy and Business Organization Lecturing
7 Risk Analysis and Modeling Lecturing
8 mid-term exam
9 Claims Management Lecturing
10 Credit Risk Management Lecturing
11 Financial Derivative Products Lecturing
12 Financial Methods in Insurance Lecturing
13 Financial Risk Management Lecturing
14 Global Risk Management Perspective Lecturing
15 Business Continuity and Crisis Management Lecturing
16 final exam
Recommend Course Book / Supplementary Book/Reading
1 Banka İşlemleri, Alptekin Günay, Beta Basım Yayım
2 Uluslararası Bankacılık Uygulamaları, Salih Kaya
Required Course instruments and materials
Bank Transactions, Alptekin Güney, Beta Press International Banking Practices, Salih Kaya

Assessment Methods
Type of Assessment Week Hours Weight(%)
mid-term exam 8 1 40
Other assessment methods
1.Oral Examination
2.Quiz
3.Laboratory exam
4.Presentation
5.Report
6.Workshop
7.Performance Project
8.Term Paper
9.Project
final exam 16 1 60

Student Work Load
Type of Work Weekly Hours Number of Weeks Work Load
Weekly Course Hours (Theoretical+Practice) 3 14 42
Outside Class
       a) Reading 3 14 42
       b) Search in internet/Library 2 14 28
       c) Performance Project 0
       d) Prepare a workshop/Presentation/Report 1 10 10
       e) Term paper/Project 0
Oral Examination 0
Quiz 0
Laboratory exam 0
Own study for mid-term exam 0
mid-term exam 2 7 14
Own study for final exam 2 14 28
final exam 1 1 1
0
0
Total work load; 165